Catella Fonder manages funds with various management styles and risk profiles.
The performance in our funds over time has been better than the chosen benchmark. Catella offers four types of fund and investment strategy. Our geographical focus and expertise is concentrated in the Nordic countries. Fund data in the tables is normally updated each weekday, Monday - Friday, at 7.00 pm. Some funds are updated with a one-day delay. Note that prices published in newspapers may be published with a one-day delay.
The risk and reward indicator illustrates the link between risk and potential returns from an investment in the fund. The indicator is based on how the fund’s value has changed over the past five years. Category 1 does not mean that the fund is risk free. The fund may over time move towards the left or right of the scale. This is because the indicator is based on historical data which is not a guarantee of future risk and reward. For information about the risk classification of each fund, please refer to the fund’s key investor information document.